Equity/fixed income portfolio management experience or/and trading experience at buy-side asset management team and formulate investment strategy;
Conduct investment research for equities, or research for bond investments including both investment grade and high yield credits;
Manage portfolio market risks include FX, interest rate and credit risk exposure;
Responsible for P&L monitoring, performance attribution, and scenario analysis of portfolio holding;
Identify market opportunities and implement effective trades to derive profits for the firm.
Requirements
10 years relevant working experience in Equity/Fixed Income investment and more than 5 years experience in public fund management, KIP holder is strongly preferred;
Bachelor degree in Business or a related discipline, professional qualifications of CFA, FRM, etc. is an advantage;
Excellent writing skill in English and Chinese including Mandarin;
Previous experience in SFC Type 1,4,9 is preferred
Strong interpersonal and communication skills
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